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Sheffield Green Ltd.

Sheffield Green PEG Ratio

Latest PEG ratio for Sheffield Green: 239.46 — see history and peer comparisons.

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PEG Ratio

239.46

PEG Ratio

239.46

The PEG ratio measures a stock's valuation relative to its earnings growth rate. A PEG ratio below 1.0 may indicate that the stock is undervalued relative to its growth potential.

PEG Ratio (Comparison Companies)

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PEG Ratio History

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PEG Ratio Comparison

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Sheffield Green (SGR.SI) FAQ

As of the most recent data, SGR.SI shows a PEG ratio of 239.46. That is above the sector sector average of 3.55. Scroll down for historical charts and peer comparison views.

The its sector sector average PEG ratio is about 3.55. Sheffield Green is at 239.46, which is higher that average. That is roughly 6646.1% above the sector mean. Use the comparison chart on this page to see how SGR.SI stacks up against individual peers as well.

Investors watch SGR.SI's PEG ratio because it compresses price and fundamentals into one number that is easy to compare across companies and over time. Sheffield Green's latest reading is 239.46. Combining that with growth, ROE, and debt metrics usually beats relying on a single multiple.

Besides this peg ratio page, Stockcircle has Sheffield Green's full stock overview, other financial metrics, insider and congress trade tabs, and tools to follow the stock. Together they help you connect PEG ratio (currently 239.46) with ownership activity and broader fundamentals.